ChampionX Corp - COM (CHX)

Historical Holders from Q2 2018 to Q3 2025

Type / Class
Equity / COM
Symbol
CHX
Price per share
$25.32
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
47,552
Total reported value
$1,394,786
% of total 13F portfolios
0%
Share change
-179,598,559
Value change
-$4,460,542,084
Avg buy value change
+0%
Avg sell value change
-0.01%
Number of holders
4
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, ChampionX Corp - COM (CHX) has 4 institutional shareholders filing 13F forms. They hold 47,552 shares. .

Institutional Holders of ChampionX Corp - COM (CHX) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (% of par) Investors
2025 Q3 47,552 $1,394,786 -$4,460,542,084 2,532.32% 4
2025 Q2 179,746,663 $4,465,120,739 -$258,873,825 2,484% 367
2025 Q1 187,790,359 $5,593,851,336 -$8,067,381 2,980% 415
2024 Q4 187,580,991 $5,100,461,538 +$60,207,405 2,719% 416
2024 Q3 184,581,156 $5,564,755,295 -$34,064,476 3,015% 415
2024 Q2 183,961,639 $6,109,120,580 -$393,060,638 3,321% 429
2024 Q1 195,068,047 $6,999,933,031 -$90,699,006 3,589% 394
2023 Q4 198,482,104 $5,797,234,856 -$120,701,579 2,921% 403
2023 Q3 201,453,691 $7,175,695,653 -$33,232,464 3,562% 415
2023 Q2 202,687,821 $6,292,186,556 +$97,909,676 3,104% 373
2023 Q1 199,637,018 $5,415,906,415 +$50,060,139 2,713% 370
2022 Q4 197,901,547 $5,737,602,791 -$226,879,691 2,899% 383
2022 Q3 205,694,557 $4,022,894,281 -$68,004,507 1,957% 298
2022 Q2 204,892,180 $4,068,224,724 +$102,307,962 1,985.01% 311
2022 Q1 200,018,599 $4,896,570,913 +$89,610,776 2,448% 320
2021 Q4 196,535,688 $3,974,180,182 -$48,348,773 2,021.02% 306
2021 Q3 198,633,593 $4,444,345,001 +$9,258,871 2,236% 288
2021 Q2 197,594,794 $5,064,407,234 +$16,572,404 2,564.99% 295
2021 Q1 197,864,436 $4,297,978,750 +$30,219,962 2,173% 286
2020 Q4 197,410,492 $3,022,084,846 -$5,976,421 1,530% 277
2020 Q3 200,047,967 $1,598,598,948 +$32,378,571 799% 257
2020 Q2 194,820,332 $1,900,796,529 +$1,900,595,989 976% 266
2020 Q1 19,086 $121,673 +$105,925 576.51% 4
2019 Q4 699 $19,391 -$325 3,376.92% 3
2019 Q3 711 $18,841 -$866 2,704.33% 4
2019 Q2 743 $20,835 -$1,610 3,351.84% 4
2019 Q1 791 $24,115 -$4,435 4,105.59% 4
2018 Q4 330 $8,936 -$2,491 2,708.01% 3
2018 Q3 422 $18,382 -$9,365 4,355.94% 3
2018 Q2 637 $26,595 +$26,595 4,175% 3